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futuresecureai

15 days ago

Corporate Finance & Treasury Manager

Onsite Sydney

finance

greenhouse

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Job description

You will manage cash flow and liquidity while supporting long-term financial planning. This role is based in Sydney and requires significant experience in corporate finance and treasury.

Details

  • Sydney, work from office
  • 5+ years of experience in treasury and corporate finance

The work

  • Own the cash flow forecast and liquidity model
  • Lead the development of long-range financial planning models
  • Support investor valuations and prepare financial materials
  • Collaborate with the FP&A Manager on operational forecasts